HoldingsChannel.com
Ensign Peak Advisors Inc Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
Microsoft Corp 9,645,933 +158,809 $1,521,258
     MSFT9,645,933+158,809$1,521,258
Apple Inc 5,363,556 +1,737 $1,363,898
     AAPL5,363,556+1,737$1,363,898
Amazon.com Inc 497,979 +34,987 $970,919
     AMZN497,979+34,987$970,919
Google Inc 703,692 +9,329 $817,656
     GOOGL703,692+9,329$817,656
Johnson & Johnson 4,363,219 -64,870 $572,151
     JNJ4,363,219-64,870$572,151
Intel Corp 9,863,139 -233,491 $533,792
     INTC9,863,139-233,491$533,792
Visa Inc 2,905,367 +70,608 $468,113
     V2,905,367+70,608$468,113
UnitedHealth Group Inc 1,797,033 +193,057 $448,146
     UNH1,797,033+193,057$448,146
Facebook Inc 2,565,530 -55,188 $427,930
     FB2,565,530-55,188$427,930
Merck & Co Inc 5,185,436 +578,924 $398,970
     MRK5,185,436+578,924$398,970
JPMorgan Chase & Co 4,094,218 +607,727 $368,603
     JPM4,094,218+607,727$368,603
Home Depot Inc The 1,883,000 +188,820 $351,575
     HD1,883,000+188,820$351,575
Berkshire Hathaway Inc      $339,123
     BRK.B1,854,866+7,685$339,123
Abbott Laboratories 3,813,764 -51,609 $300,944
     ABT3,813,764-51,609$300,944
Thermo Fisher Scientific Inc 1,057,257 -886 $299,835
     TMO1,057,257-886$299,835
Adobe Systems Inc 925,837 +29,769 $294,641
     ADBE925,837+29,769$294,641
Danaher Corp 2,122,084 +1,778 $293,716
     DHR2,122,084+1,778$293,716
Stryker Corp 1,735,789 +74,743 $288,992
     SYK1,735,789+74,743$288,992
Wal Mart Stores Inc 2,485,693 +289,513 $282,424
     WMT2,485,693+289,513$282,424
CME Group Inc IL 1,529,733 +187,975 $264,509
     CME1,529,733+187,975$264,509
NextEra Energy Inc 1,095,951 -16,197 $263,709
     NEE1,095,951-16,197$263,709
Mastercard Inc 1,045,348 -31,026 $252,515
     MA1,045,348-31,026$252,515
Walt Disney Co The 2,577,813 -77,354 $249,016
     DIS2,577,813-77,354$249,016
Halfmoon Parent Inc 1,395,550 +81,864 $247,262
     CI1,395,550+81,864$247,262
Chevron Corp 3,350,343 +186,611 $242,765
     CVX3,350,343+186,611$242,765
Air Products & Chemicals Inc 1,204,169 +17,098 $240,365
     APD1,204,169+17,098$240,365
American Tower Corp 1,096,476 -28,472 $238,758
     AMT1,096,476-28,472$238,758
Fastenal Co 7,550,615 -230,856 $235,955
     FAST7,550,615-230,856$235,955
Union Pacific Corp 1,653,605 -26,685 $233,225
     UNP1,653,605-26,685$233,225
NVIDIA Corp 846,677 +100,021 $223,184
     NVDA846,677+100,021$223,184
iShares Core MSCI Emerging Markets ETF (IEMG) 5,495,659 +82,445 $222,410
     IEMG5,495,659+82,445$222,410
Teladoc Inc 1,429,095 -82,208 $221,524
     TDOC1,429,095-82,208$221,524
TJX Cos Inc 4,471,722 -284,068 $213,792
     TJX4,471,722-284,068$213,792
IntercontinentalExchange Inc (ICE) 2,611,408 +25,333 $210,870
     ICE2,611,408+25,333$210,870
O Reilly Automotive Inc 687,361 -53,562 $206,931
     ORLY687,361-53,562$206,931
First Republic Bank CA 2,379,461 +27,686 $195,783
     FRC2,379,461+27,686$195,783
Vertex Pharmaceuticals Inc 799,448 -10,669 $190,230
     VRTX799,448-10,669$190,230
Shopify Inc 454,003 -3,867 $189,468
     SHOP454,003-3,867$189,468
NIKE Inc 2,278,460 +33,002 $188,520
     NKE2,278,460+33,002$188,520
Enterprise Products Partners LP 13,166,789 +2,309,741 $188,285
     EPD13,166,789+2,309,741$188,285
Knight Swift Transportation Holdings Inc 5,726,426 -5,639 $187,828
     KNX5,726,426-5,639$187,828
Applied Materials Inc 4,067,341 -258,975 $186,366
     AMAT4,067,341-258,975$186,366
Prologis Inc 2,233,776 -11,488 $179,527
     PLD2,233,776-11,488$179,527
Exact Sciences Corp 3,047,979 +800,317 $176,781
     EXAS3,047,979+800,317$176,781
iShares Core S&P 500 ETF (IVV) 678,336 -178,412 $175,282
     IVV678,336-178,412$175,282
Bank of America Corp 8,001,029 -739,828 $169,865
     BAC8,001,029-739,828$169,865
Fortive Corp 2,996,504 +276,529 $165,379
     FTV2,996,504+276,529$165,379
Southern Co The 2,962,316 -18,697 $160,381
     SO2,962,316-18,697$160,381
Salesforce.com Inc 1,063,067 +27,698 $153,060
     CRM1,063,067+27,698$153,060
Costco Wholesale Corp 526,233 +23,465 $150,044
     COST526,233+23,465$150,044

See Full List: All Stocks Held By Ensign Peak Advisors Inc
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Ensign Peak Advisors Inc

Size ($ in 1000's)
At 03/31/2020: $29,866,226
At 12/31/2019: $37,857,975

Ensign Peak Advisors Inc holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Ensign Peak Advisors Inc 13F filings. Link to 13F filings: SEC filings

Ensign Peak Advisors Inc Top Holdings 13F Filings | www.HoldingsChannel.com

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